Shayne has more than 20 years’ experience in Markets and Risk Management, complemented by a number of business leadership roles at ANZ and other financial institutions.

Prior to his current role Shayne was the Group General Manager for Markets Risk where he was responsible for Non Traded Market Risk, Traded Market & Markets Credit Risk, Quantitative Risk Methodology, Financial Institutions Credit, Model Review Governance, Operational Risk Governance, Markets Compliance and Risk Analytics & Systems Infrastructure.

Before this, he led Global Markets’ Sales across the Institutional, Corporate and Commercial segments in our network of 33 countries.

Prior to re-joining ANZ in April 2006, he spent several years working at National Australia Bank and was responsible for the management of Interest Rate Derivatives and FX Sales teams covering Institutional and large corporate customers within Australia.

Shayne first joined ANZ in 1988 where he worked for five years in Group Treasury as a Manager in Balance Sheet Strategy, where he was involved in managing non-traded interest rate risk on ANZ's balance sheet and liquidity portfolio. He was also responsible for FX capital hedging.

Shayne holds a Bachelor of Economics and completed the INSEAD Advanced Management Program.